Recent Annual Filings for AMN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,924,394,000 $3,789,254,000 $3,504,965,000 $211,195,000 $372,165,000 $10,729,000 $-29,599,000
2022 $2,888,351,000 $5,243,242,000 $4,636,539,000 $443,406,000 $653,733,000 $-591,865,000 $-108,842,000
2021 $3,131,906,000 $3,984,235,000 $3,540,314,000 $327,053,000 $305,356,000 $-34,895,000 $162,724,000
2020 $2,353,507,000 $2,393,714,000 $2,302,191,000 $70,553,000 $256,826,000 $211,486,000 $-69,972,000
2019 $1,931,646,000 $2,222,107,000 $2,073,619,000 $113,989,000 $224,862,000 $136,599,000 $69,638,000
2018 $1,492,721,000 $2,136,074,000 $1,949,389,000 $142,004,000 $226,993,000 $37,511,000 $-14,570,000
2017 $1,253,957,000 $1,988,454,000 $1,795,691,000 $132,445,000 $115,262,000 $-77,193,000 $4,525,000
2016 $1,186,881,000 $1,902,225,000 $1,726,058,000 $106,022,000 $131,851,000 $126,290,000 $1,046,000